HSBC Corporate Bond Fund

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HSBC Corporate Bond Fund C Inc

Category GBP Corporate Bond



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This fund can be held in an Investment ISA, SIPP and Investment Account
Last buy/sell price

£1.0576

arrow-up£0.008 (+0.71%)

Fund Code

HCCBI

B7X4RF1

GB00B7X4RF18

Prices updated as at 01 Apr 2026
|
Prices in GBP

Investment objective
The Fund aims to provide higher returns (before charges and tax are deducted from the Fund) than the Markit iBoxx GBP Corporates Index plus 1% per year, over three-year periods. To achieve its objective the Fund will invest at least 80% of its value in bonds that have a credit rating of investment grade and are issued in sterling or are hedged back to sterling. The bonds may be issued by companies and supranational or government-backed organisations which may be located anywhere in the world. The types of bond the Fund may invest in include covered bonds and asset backed securities. The Fund may also invest up to 20% of its value in other types of bonds such as bonds issued by governments, bonds with lower credit ratings, convertible bonds, contingent convertible bonds and shares (equities) of companies arising from convertible bonds.

Dividend information

Dividend information
4.70
-
-
Quarterly
13 Mar 2026

Dividend history

Ex-div datePer share amountReinvestment price
16 Jan 20260.0155761.0802
16 Oct 20250.01381.0686
16 Jul 20250.0131.0576
16 Apr 20250.0131.0386
16 Jan 20250.013351.0444
16 Oct 20240.01351.0706
16 Jul 20240.01271.0644
16 Apr 20240.01231.045
16 Jan 20240.0139351.0554
16 Oct 20230.01170.9964
17 Jul 20230.01120.9964
17 Apr 20230.01131.0295
16 Jan 20230.0100421.0411
17 Oct 20220.01060.9473
18 Jul 20220.01021.0908
19 Apr 20220.011.16
17 Jan 20220.0108651.2625
18 Oct 20210.01081.2732
16 Jul 20210.01051.3113
16 Apr 20210.00961.3016
18 Jan 20210.0102141.3389
16 Oct 20200.00991.3081
16 Jul 20200.00961.3046
16 Apr 20200.00941.2542
16 Jan 20200.0095781.2957
16 Oct 20190.00971.270431
16 Jul 20190.00991.260149
16 Apr 20190.00981.221442
16 Jan 20190.0101261.18511
16 Oct 20180.00991.189937
16 Jul 20180.011.213637
16 Apr 20180.00981.218437
16 Jan 20180.0101551.25152
16 Oct 20170.01051.239
17 Jul 20170.01041.243
Please note that past performance is not a reliable indicator of future returns.


Important Information

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